Risk Management Analysis Volume (33 results)

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  • Language: English

    Published by Wiley, 1999

    0471979570 / 9780471979579

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    Seller: Project HOME Books, Philadelphia, PA, U.S.A.Project HOME Books

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    Condition: Good. shelf wear, hardcover Used - Good 1999 Volume 1 All purchases support Project HOME - ending homelessness in Philadelphia.

  • Language: English

    Published by Wiley, 1998

    0471979597 / 9780471979593

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    Seller: Wonder Book, Frederick, MD, U.S.A.Wonder Book

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    Condition: As New. Like New condition. Very Good dust jacket. Volume 2. A near perfect copy that may have very minor cosmetic defects.

  • Language: English

    Published by Wiley, 1998

    0471979597 / 9780471979593

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    Seller: Project HOME Books, Philadelphia, PA, U.S.A.Project HOME Books

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    Condition: Good. shelf wear, hardcover Used - Good 1999 Volume 2 All purchases support Project HOME - ending homelessness in Philadelphia.

  • Language: English

    Published by Wiley, 1999

    0471979570 / 9780471979579

    • Hardcover

    Seller: WorldofBooks, Goring-By-Sea, WS, United KingdomWorldofBooks

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    Hardback. Condition: Very Good. The book has been read, but is in excellent condition. Pages are intact and not marred by notes or highlighting. The spine remains undamaged.

  • Language: English

    Published by John Wiley & Sons, 1999

    0471979570 / 9780471979579

    • Hardcover

    Seller: Anybook.com, Lincoln, United KingdomAnybook.com

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    Condition: Good. Volume 1. This is an ex-library book and may have the usual library/used-book markings inside.This book has hardback covers. In good all round condition. Dust jacket in good condition. Please note the Image in this listing is a stock photo and may not match the covers of the actual item,750grams, ISBN:9780471979579.

  • Language: English

    Published by Wiley, 1998

    0471979570 / 9780471979579

    • Hardcover

    Seller: SN Books Ltd, Thetford, United KingdomSN Books Ltd

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    hardcover. Condition: Very Good. Orders shipped daily from the UK. Professional seller.

  • Language: English

    Published by Wiley, 1998

    0471979597 / 9780471979593

    • Hardcover

    Seller: books4less (Versandantiquariat Petra Gros GmbH & Co. KG), Welling, Germanybooks4less (Versandantiquariat Petra Gros GmbH & Co. KG)

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    Condition: Used - Very good

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    gebundene Ausgabe. Condition: Gut. 340 Seiten Der Erhaltungszustand des hier angebotenen Werks ist trotz seiner Bibliotheksnutzung sehr sauber und kann entsprechende Merkmale aufweisen (Rückenschild, Instituts-Stempel.). In ENGLISCHER Sprache. Sprache: Englisch Gewicht in Gramm: 830.

  • Language: English

    Published by American Association Of Petroleum Geologists, 2001

    0891816623 / 9780891816621

    • Hardcover

    Seller: Anybook.com, Lincoln, United KingdomAnybook.com

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    Condition: Good. Volume 12. This is an ex-library book and may have the usual library/used-book markings inside.This book has hardback covers. Clean from markings. In good all round condition. Please note the Image in this listing is a stock photo and may not match the covers of the actual item,1000grams, ISBN:9780891816621.

  • Language: English

    Published by Wiley, 1999

    0471979570 / 9780471979579

    • Hardcover

    Seller: SHIMEDIA, Brooklyn, NY, U.S.A.SHIMEDIA

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    Condition: New. Satisfaction Guaranteed or your money back.

  • Language: English

    Published by Wien. Institute of Chemical Engineering Vienna University of Highschool,, 2006

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    Seller: COTTAGE Antiquariat - anbu.at, Langenzersdorf, AustriaCOTTAGE Antiquariat - anbu.at

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    gr-8°, Original - Pappband. 13 unn. Bll, SS. 759-1225, 8 unn. Bll., mit etlichen Tabellen und Abb. Einband minimal berieben, ansonsten sauberes und tadelloses Exemplar. In Antiqua. ****An unsere Kunden in Deutschland: Versand nach Deutschland einmal in der Woche ab Freilassing mit der Deutschen Post.*** - Sprache: Englisch Gewicht in Gramm: 950.

  • Condition: New

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  • Language: English

    Published by Wiley, 1998

    0471979570 / 9780471979579

    • Hardcover

    Seller: PBShop.store UK, Fairford, GLOS, United KingdomPBShop.store UK

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    HRD. Condition: New. New Book. Shipped from UK. Established seller since 2000.

  • Language: English

    Published by Wiley, 1998

    0471979597 / 9780471979593

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    Seller: PBShop.store UK, Fairford, GLOS, United KingdomPBShop.store UK

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    HRD. Condition: New. New Book. Shipped from UK. Established seller since 2000.

  • Language: English

    Published by Wiley, 1999

    0471979570 / 9780471979579

    • Hardcover

    Seller: GoldBooks, Denver, CO, U.S.A.GoldBooks

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    Hardcover. Condition: new. New Copy. Customer Service Guaranteed.

  • Condition: New

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    Condition: New. In English.

  • Language: English

    Published by Wiley, 1998

    0471979597 / 9780471979593

    • Hardcover

    Seller: Ria Christie Collections, Uxbridge, United KingdomRia Christie Collections

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    Condition: New. In English.

  • Language: English

    Published by Wiley, 1999

    0471979570 / 9780471979579

    • Hardcover

    Seller: Ria Christie Collections, Uxbridge, United KingdomRia Christie Collections

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    Condition: New. In English.

  • Language: English

    Published by People's Posts and Telecommunications Publishing House, 2024

    7115639345 / 9787115639349

    • Softcover

    Seller: liu xing, Nanjing, JS, Chinaliu xing

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    paperback. Condition: New. Paperback. Pub Date: 2024-10 Pages: 356 Publisher: Posts & Telecom Press Python is a programming language known for its simplicity and readability. Its ease of learning makes it suitable for both beginners and professionals. Python provides a rich set of libraries and frameworks. widely used in data science. artificial intelligence. web development. and other fields. Whether you are a beginner or a developer. Python can meet your needs. This book contains 7 chapters. focusing on the financial.

  • Language: English

    Published by Posts and Telecommunications Press, 2025

    7115639388 / 9787115639387

    • Softcover

    Seller: liu xing, Nanjing, JS, Chinaliu xing

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    paperback. Condition: New. Paperback. Pub Date: 2025-01 Pages: 306 Publisher: Posts and Telecommunications Press Python is a programming language known for its simplicity and readability. Its ease of learning makes it the first choice for novices and professionals. Python provides a wealth of libraries and frameworks. which are widely used in fields such as data science. artificial intelligence. and web development. Whether you are a beginner or an experienced developer. Python can meet your needs. This book contains 6.

  • Language: English

    Published by People Post Press, 2024

    7115639396 / 9787115639394

    • Softcover

    Seller: liu xing, Nanjing, JS, Chinaliu xing

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    paperback. Condition: New. Paperback. Pub Date: 2024-06 Pages: 300 Language: Chinese Publisher: People's Posts and Telecommunications Press Python is a programming language known for its simplicity and readability. Its ease of learning makes it the first choice for novices and professionals. Python provides a wealth of libraries and frameworks. which are widely used in data science. artificial intelligence. web development and other fields. Whether you are a beginner or an experienced developer. Python can meet your ne.

  • Language: English

    Published by John Wiley and Sons Inc, US, 1998

    0471979570 / 9780471979579

    • Hardcover

    Seller: Rarewaves.com USA, London, LONDO, United KingdomRarewaves.com USA

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    Hardback. Condition: New. Risk Management and Analysis, Volume 1: Measuring and Modelling Financial RiskEdited by Carol Alexander In the two years since the publication of The Handbook of Risk Management and Analysis interest and the practice of management, modelling and control of financial risks has grown enormously. The author/editor has produced two stand-alone or companion volumes. Only one third of the original material remains. Measuring and Modelling Financial Risk has been structured in four parts: the first three chapters survey standard approaches to measuring and modelling financial risk from the risk manager perspective, Chapters 4 and 5 are aimed primarily at quantitative risk analysts whose job it is to put the systems in place. Chapters 6 and 7 discuss important issues in IT and systems design, and the last two chapters cover pricing and risk management of credit-risky products. Leading figures in the field contribute: Michel Crouhy, Dan Galai and Robert Mark, Stan Beckers, Thomas Wilson, Mark Broadie and Paul Glasserman, Nigel Webb, Ron Dembo, Robert Jarrow and Stuart Turnbull, and Lee Wakeman. "Risk management is becoming an increasingly important activity for financial institutions, fund managers, and corporate treasurers. It used to be the case that the brightest 'quants' were used to design and value ever-more-exotic derivatives. Now increasingly they are finding that their talents can best be put to work in risk management. In this volume Carol Alexander has gathered together nine articles concerned with different aspects of risk management and analysis. The topics covered include the regulatory framework, volatility and correlation models, value at risk, and credit risk. The book will provide a valuable source of reference material for both market participants and students."-John Hull, August 1998.

  • Language: English

    Published by Wiley, 1999

    0471979570 / 9780471979579

    • Hardcover

    Seller: California Books, Miami, FL, U.S.A.California Books

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  • Language: English

    Published by Wiley, 1998

    0471979597 / 9780471979593

    • Hardcover

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  • Language: English

    Published by John Wiley and Sons Inc, US, 1998

    0471979570 / 9780471979579

    • Hardcover

    Seller: Rarewaves.com UK, London, United KingdomRarewaves.com UK

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    Hardback. Condition: New. Risk Management and Analysis, Volume 1: Measuring and Modelling Financial RiskEdited by Carol Alexander In the two years since the publication of The Handbook of Risk Management and Analysis interest and the practice of management, modelling and control of financial risks has grown enormously. The author/editor has produced two stand-alone or companion volumes. Only one third of the original material remains. Measuring and Modelling Financial Risk has been structured in four parts: the first three chapters survey standard approaches to measuring and modelling financial risk from the risk manager perspective, Chapters 4 and 5 are aimed primarily at quantitative risk analysts whose job it is to put the systems in place. Chapters 6 and 7 discuss important issues in IT and systems design, and the last two chapters cover pricing and risk management of credit-risky products. Leading figures in the field contribute: Michel Crouhy, Dan Galai and Robert Mark, Stan Beckers, Thomas Wilson, Mark Broadie and Paul Glasserman, Nigel Webb, Ron Dembo, Robert Jarrow and Stuart Turnbull, and Lee Wakeman. "Risk management is becoming an increasingly important activity for financial institutions, fund managers, and corporate treasurers. It used to be the case that the brightest 'quants' were used to design and value ever-more-exotic derivatives. Now increasingly they are finding that their talents can best be put to work in risk management. In this volume Carol Alexander has gathered together nine articles concerned with different aspects of risk management and analysis. The topics covered include the regulatory framework, volatility and correlation models, value at risk, and credit risk. The book will provide a valuable source of reference material for both market participants and students."-John Hull, August 1998.

  • Language: English

    Published by Koros Press Limited, 2014

    1781634262 / 9781781634264

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    Seller: Basi6 International, Irving, TX, U.S.A.Basi6 International

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    Condition: Brand New. New. US edition. Expediting shipping for all USA and Europe orders excluding PO Box. Excellent Customer Service.

  • Language: English

    Published by Koros Press Limited, 2014

    1781634262 / 9781781634264

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    Condition: New. This is a Brand-new US Edition. This Item may be shipped from US or any other country as we have multiple locations worldwide.

  • Language: English

    Published by Elsevier Science & Technology, 2002

    0080440800 / 9780080440804

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    Seller: THE SAINT BOOKSTORE, Southport, United KingdomTHE SAINT BOOKSTORE

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    Hardback. Condition: New. This item is printed on demand. New copy - Usually dispatched within 5-9 working days.

  • Language: English

    Published by John Wiley & Sons Inc, New York, 1998

    0471979570 / 9780471979579

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    Hardcover. Condition: new. Hardcover. Risk Management and Analysis, Volume 1: Measuring and Modelling Financial RiskEdited by Carol Alexander In the two years since the publication of The Handbook of Risk Management and Analysis interest and the practice of management, modelling and control of financial risks has grown enormously. The author/editor has produced two stand-alone or companion volumes. Only one third of the original material remains. Measuring and Modelling Financial Risk has been structured in four parts: the first three chapters survey standard approaches to measuring and modelling financial risk from the risk manager perspective, Chapters 4 and 5 are aimed primarily at quantitative risk analysts whose job it is to put the systems in place. Chapters 6 and 7 discuss important issues in IT and systems design, and the last two chapters cover pricing and risk management of credit-risky products. Leading figures in the field contribute: Michel Crouhy, Dan Galai and Robert Mark, Stan Beckers, Thomas Wilson, Mark Broadie and Paul Glasserman, Nigel Webb, Ron Dembo, Robert Jarrow and Stuart Turnbull, and Lee Wakeman. "Risk management is becoming an increasingly important activity for financial institutions, fund managers, and corporate treasurers. It used to be the case that the brightest 'quants' were used to design and value ever-more-exotic derivatives. Now increasingly they are finding that their talents can best be put to work in risk management. In this volume Carol Alexander has gathered together nine articles concerned with different aspects of risk management and analysis. The topics covered include the regulatory framework, volatility and correlation models, value at risk, and credit risk. The book will provide a valuable source of reference material for both market participants and students."John Hull, August 1998 Carol Alexander has compiled an impressive list of contributors offering the most up-to-date techniques of risk management and the practical implementation of these techniques. The classic Handbook of Risk Management and Analysis has been updated and expanded into two volumes--Risk Measurement and Management and Markets and Products. This item is printed on demand. Shipping may be from our UK warehouse or from our Australian or US warehouses, depending on stock availability.

  • Language: English

    Published by John Wiley & Sons Inc, New York, 1998

    0471979597 / 9780471979593

    • Hardcover
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    Hardcover. Condition: new. Hardcover. The author/editor has produced two stand-alone or companion volumes. Only one third of the original material remains. New Markets and Products begins with two chapters on emerging markets. The book then goes on to cover markets and products of increasing complexity: standard equity and interest rate derivatives, exotic options, swap (and swaptions), volatility trading and finally credit derivatives. The contributors are all acknowledged experts in their fields: Michael Howell, Mark Fox, Ian King, Chris Rogers, Andrew Street, Riccardo Rebonato, Edmond Levy, Bryan Thomas, Vincent Lacoste, Desmond Fitzgerald and Blythe Masters. New Markets and Products will be an essential reference tool for risk managers, institutional investors, fund managers, bankers, corporate treasurers and financial consultants. "In this volume Carol Alexander has gathered together ten articles that are concerned with important recent developments in financial markets. Two of the articles are concerned with emerging markets. They explore the reasons for their growth and the nature of the investment opportunities available. The remaining eight articles are concerned with derivatives. There are chapters on equity derivatives, interest rate derivatives, exotic options, volatility trading, and credit derivatives. The final chapter on credit derivatives is particularly timely. This market is in the process of transforming the way banks manage credit risk. I have seen no other discussion of the market as comprehensive and useful as that provided by Blythe Masters. Market participants and students alike will find much useful and thought-provoking information in this volume."John Hull, August 1998 Risk management is a high profile area of finance. This revised edition represents the thinking of the specialists in the area, concentrating on the markets and products. There are four new chapters. This item is printed on demand. Shipping may be from our UK warehouse or from our Australian or US warehouses, depending on stock availability.

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    Leather Bound. Condition: New. Language: English. Language: English. Presenting an Exquisite Leather-Bound Edition, expertly crafted with Original Natural Leather that gracefully adorns the spine and corners. The allure continues with Golden Leaf Printing that adds a touch of elegance, while Hand Embossing on the rounded spine lends an artistic flair. This masterpiece has been meticulously reprinted in 2025, utilizing the invaluable guidance of the original edition published many years ago in 1981. The contents of this book are presented in classic black and white. Its durability is ensured through a meticulous sewing binding technique, enhancing its longevity. Imprinted on top-tier quality paper. A team of professionals has expertly processed each page, delicately preserving its content without alteration. Due to the vintage nature of these books, every page has been manually restored for legibility. However, in certain instances, occasional blurriness, missing segments, or faint black spots might persist. We sincerely hope for your understanding of the challenges we faced with these books. Recognizing their significance for readers seeking insight into our historical treasure, we've diligently restored and reissued them. Our intention is to offer this valuable resource once again. We eagerly await your feedback, hoping that you'll find it appealing and will generously share your thoughts and recommendations. Lang: - English, Vol:- Volume 2, Pages:- 84, Print on Demand. If it is a multi-volume set, then it is only a single volume. We are specialised in Customisation of books, if you wish to opt different color leather binding, you may contact us. This service is chargeable. Product Disclaimer: Kindly be informed that, owing to the inherent nature of leather as a natural material, minor discolorations or textural variations may be perceptible. Explore the FOLIO EDITION (12x19 Inches): Available Upon Request. Volume 2 84 84.